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Scalar and Vector Risk in the General Framework of Portfolio Theory
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Scalar and Vector Risk in the General Framework of Portfolio Theory : A Convex Analysis Approach

2023 ed.

Book Details

Format Hardback or Cased Book
ISBN-10 3031333209
ISBN-13 9783031333200
Edition 2023 ed.
Publisher Springer International Publishing AG
Imprint Springer International Publishing AG
Country of Manufacture GB
Country of Publication GB
Publication Date Sep 2nd, 2023
Print length 228 Pages
Ksh 19,800.00
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The main difference between a bank balance sheet management problem and a typical portfolio optimization problem is that the former involves multiple risks.

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